OAK RIDGE INVESTMENTS LLC /ADV
13F-HR, 2000-10-30
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                     UNITED STATES
          SECURITIES AND EXCHANGE COMMISSION
                Washington, D.C.  20549
                       FORM 13F
                  FORM 13F COVER PAGE

Report for the Quarter Ended:   September 30, 2000

Check here if Amendment [ ]; Amendment Number:_____
     This Amendment (Check only one.):  [ ] is a restatement.
                                        [ ] adds new holding entries.

Institutional Investment Manager Filing this Report:

Name:     Oak Ridge Investments, LLC
Address:  10 South LaSalle Street, Suite 1050
          Chicago, Illinois  60603

Form 13F File No:   28-6668

The institutional investment manager filing this report
and the person by whom it is signed hereby represent
that the person signing the report is authorized to
submit it, that all information contained herein is
true, correct and Complete, and that it is understood
that all required items, statements, schedules, lists,
and tables, are considered integral parts of this form.

Person Signing this Report on Behalf of the Reporting
Manager:

Name:          Samuel Wegbreit
Title:         Managing Member
Phone:         (312) 857-1040
Signature, Place, and Date of Signing:



   /s/ Samuel Wegbreit           Chicago, Illinois        October 27, 2000
-------------------------       --------------------    ---------------------
       (Signature)                  (City/State)                (Date)

Report Type (Check only one.):

[X]  13F Holdings Report (Check here if all holdings of
     this reporting manager are reported in this
     report.)

[ ]  13F Notice (Check here if no holdings
     reported are in this report, and all holdings are
     reported by other reporting manager(s).)

[ ]  13F Combination Report (Check here if a
     portion of the holdings for this reporting manager
     are reported in this report and a portion are
     reported by other reporting manager(s).)

List of Other Managers Reporting for this Manager:  None

<PAGE>

                 Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                     0

Form 13F Information Table Entry Total:               84

Form 13F Information Table Value Total:     $548,001,985

List of Other Included Managers:

Provide a numbered list of the name(s) and Form 13F
file number(s) of all institutional investment managers
with respect to which this report is filed, other than
the manager filing this report.    None

<PAGE>
<TABLE>



                                                          Shares/                                  Voting Authority
                         Title of                          PRN    SH/  Put/  Invstmt   Other
    Name of Issuer        Class     CUSIP       Value      AMT    PRN  Call  Dscretn  Managers    Sole   Share   None
         <S>               <C>       <C>         <C>       <C>    <C>  <C>     <C>      <C>        <C>    <C>     <C>

ACTRADE FINL TECH          COM    00507P102   5,597,184  186,185   SH         Sole               20,000         166,185
ADVANCED DIGITAL INFO      COM    007525108   5,376,763  354,025   SH         Sole                              354,025
AES CORP                   COM    00130H105   5,228,605   76,330   SH         Sole                1,800          74,530
ALBANY MOLECULAR RESEARCH  COM    012423109  16,806,222  299,110   SH         Sole               18,000         281,110
ALLTEL CORP                COM    020039103   2,050,447   39,290   SH         Sole                  800          38,490
AMERICA ONLINE             COM    02364J104     426,775    7,940   SH         Sole                                7,940
AMERICAN EXPRESS           COM    025816109   3,516,514   57,885   SH         Sole                1,050          56,835
AMERICAN GEN CORP          COM    026351106   2,483,130   31,835   SH         Sole                  700          31,135
AMERICAN SERVICE GROUP     COM    02364L109     390,000   15,000   SH         Sole               15,000               0
AMGEN INC COM              COM    031162100   3,354,892   48,045   SH         Sole                1,250          46,795
APTARGROUP                 COM    038336103   7,795,967  325,680   SH         Sole                              325,680
ASTORIA FINANCIAL          COM    046265104   7,523,772  194,790   SH         Sole                8,000         186,790
ATMEL CORP                 COM    049513104   2,136,046  140,645   SH         Sole                2,400         138,245
AVOCENT CORP               COM    053893103  13,758,668  249,590   SH         Sole               12,500         237,090
BENCHMARK ELEC             COM    08160H101   1,843,400   35,450   SH         Sole                8,000          27,450
BJ'S WHOLESALE CLUB        COM    05548J106  10,539,103  307,278   SH         Sole               12,000         295,278
CALPINE CORP               COM    131347106  17,992,234  172,767   SH         Sole                              172,767
CAMBREX CORP               COM    132011107  10,923,473  295,229   SH         Sole               13,000         282,229
CARDINAL HEALTH            COM    14149Y108   3,583,940   40,640   SH         Sole                1,100          39,540
CATALINA MARKETING         COM    148867104     507,937   13,500   SH         Sole               13,500               0
CHIRON CORP                COM    170040109  12,648,510  281,078   SH         Sole                              281,078
CHOICEPOINT                COM    170388102  10,927,664  238,205   SH         Sole                              238,205
CISCO SYS INC COM          COM    17275R102   6,643,426  120,243   SH         Sole                1,000         119,243
CITIGROUP                  COM    172967101   3,572,881   65,128   SH         Sole                1,175          63,953
COASTAL CORP               COM    190441105   3,831,521   51,690   SH         Sole                               51,690
COHERENT INC               COM    192479103  19,473,908  286,381   SH         Sole               16,000         270,381
CONOCO INC                 COM    208251405   2,664,388   98,910   SH         Sole                2,400          96,510
CONVERGYS                  COM    212485106  12,175,472  313,195   SH         Sole               13,000         300,195
EARTHCARE CO               COM    27031N105   1,144,526  212,935   SH         Sole               21,000         191,935

<PAGE>

ELAN CORP                  COM    284131208   3,878,490    70,840  SH         Sole                1,275          69,565
EMERSON ELECTRIC           COM    291011104   2,902,775    43,325  SH         Sole                  925          42,400
ENRON                      COM    293561106   1,059,824    12,095  SH         Sole                1,275          10,820
FLEXTRONICS INTL           COM    Y2573F102  16,823,892   204,857  SH         Sole                8,049         196,808
FYI INC                    COM    302712104   9,473,083   253,460  SH         Sole               12,000         241,460
GENERAL ELEC CO            COM    369604103   4,822,675    83,600  SH         Sole                1,650          81,950
HANOVER COMPRESSOR         COM    410768105  13,413,476   407,240  SH         Sole               23,000         384,240
HCA - THE HEALTHCARE CO    COM    404119109   1,738,192    46,820  SH         Sole                1,900          44,920
HELLER FINANCIAL           COM    423328103  11,609,946   406,475  SH         Sole               14,000         392,475
HOUSEHOLD INTL             COM    441815107   2,924,398    51,645  SH         Sole                1,000          50,645
IMS HEALTH                 COM    449934108   2,566,775   123,700  SH         Sole                2,800         120,900
INFOCUS CORP               COM    45665B106  18,887,663   356,371  SH         Sole               18,000         338,371
INSIGHT ENTERPRISES        COM    45765U103  10,176,015   373,431  SH         Sole               15,000         358,431
INTEL CORP COM             COM    458140100   2,548,114    61,308  SH         Sole                1,000          60,308
INTER-TEL INC              COM    458372109   3,055,559   268,620  SH         Sole                9,100         259,520
JOHNSON & JOHNSON          COM    478160104   2,469,617    26,290  SH         Sole                  600          25,690
KIMBERLY CLARK             COM    494368103   2,323,195    41,625  SH         Sole                  900          40,725
KING PHARMACEUTICALS       COM    495582108   7,477,866   223,637  SH         Sole                9,592         214,045
L 3 COMMUNICATIONS         COM    502424104   9,717,200   171,985  SH         Sole                              171,985
LEGG MASON INC             COM    524901105  15,216,326   261,786  SH         Sole               14,000         247,786
MASTEC INC                 COM    576323109   7,959,385   254,699  SH         Sole                              254,699
MEDTRONIC                  COM    585055106   2,538,294    48,990  SH         Sole                1,100          47,890
MERRILL LYNCH              COM    590188108   3,598,320    54,520  SH         Sole                  750          53,770
MICROSOFT CORP COM         COM    594918104   2,500,977    41,510  SH         Sole                  825          40,685
NICE SYSTEMS LTD           COM    653656108   9,844,560   136,730  SH         Sole                8,000         128,730
OWENS & MINOR INC          COM    690732102   4,746,357   301,355  SH         Sole               24,000         277,355
PEREGRINE SYS              COM    71366Q101   7,330,707   387,100  SH         Sole               14,000         373,100
PERFORMANCE FOOD GRP       COM    713755106   9,594,765   255,010  SH         Sole                              255,010
PFIZER INC COM             COM    717081103   4,411,155    98,162  SH         Sole                1,925          96,237
PHILIP MORRIS COS          COM    718154107     557,841    18,950  SH         Sole                               18,950

<PAGE>

PROCTER & GAMBLE           COM    742718109   1,602,506    23,918  SH         Sole                  525          23,393
RATIONAL SOFTWARE          COM    75409P202  28,301,403   407,948  SH         Sole                1,300         406,648
REYNOLDS & REYNOLDS        COM    761695105   7,026,023   354,525  SH         Sole               17,000         337,525
RICHMOND CTY FNCL          COM    764556106   4,382,430   181,185  SH         Sole                              181,185
SANMINA CORP               COM    800907107  17,789,602   190,009  SH         Sole                9,000         181,009
SEACHANGE INTL             COM    811699107   7,646,531   229,109  SH         Sole               10,000         219,109
SHAW GROUP                 COM    820280105  13,563,540   192,390  SH         Sole                9,800         182,590
SHIRE PHARM GRP ADR        COM    82481R106     413,000     8,000  SH         Sole                8,000               0
SIERRACITIES               COM    826521106      46,875    15,000  SH         Sole               15,000               0
SOLECTRON                  COM    834182107   2,239,369    48,550  SH         Sole                               48,550
SUN MICROSYSTEMS           COM    866810104   9,534,972    81,670  SH         Sole                1,650          80,020
TELESPECTRUM WORLDWIDE     COM    87951U109     344,491   551,185  SH         Sole               25,000         526,185
TETRA TECH                 COM    88162G103   2,768,432    96,925  SH         Sole               16,000          80,925
TYCO INTL                  COM    902124106   3,634,400    70,400  SH         Sole                1,350          69,050
UNITED STATIONERS INC      COM    913004107   7,649,440   284,630  SH         Sole               14,000         270,630
UNIVERSAL ELECTRONICS      COM    913483103     362,812    15,000  SH         Sole               15,000               0
UNIVISION COMMUN           COM    914906102   2,080,106    55,655  SH         Sole                1,200          54,455
VARIAN INC                 COM    922206107  11,774,363   273,425  SH         Sole               15,000         258,425
VODAPHONE GROUP            COM    92857w100   2,613,865    70,645  SH         Sole                1,000          69,645
WAL MART STORES            COM    931142103   1,498,149    31,090  SH         Sole                  800          30,290
WALGREEN CO                COM    931422109   2,916,635    76,880  SH         Sole                1,900          74,980
WASHINGTON MUTUAL          COM    939322103   3,455,327    86,790  SH         Sole                2,000          84,790
WATERS CORP                COM    941848103  15,672,989   176,101  SH         Sole                7,200         168,901
WORLDCOMM                  COM    98157D106   1,476,346    48,604  SH         Sole                  862          47,742
ZEBRA TECH                 COM    989207105   8,123,569   169,021  SH         Sole                7,500         161,521

TOTAL                                       548,001,985

</TABLE>



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